Blar i Norges Banks vitenarkiv på tittel
Viser treff 2614-2633 av 2800
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U.S. Banking Deregulation, Small Businesses, and Interstate Insurance of Personal Income
(Working Papers;9/2006, Working paper, 2006)We estimate the effects of deregulation of U.S. banking restrictions on the amount of interstate personal income insurance during the period 1970–2001. Interstate income insurance occurs when personal income reacts less ... -
Uncertainty, Economic Models and Monetary Policy
(Others, 2007) -
Underidentified SVAR Models: A Framework for Combining Short and Long-Run Restrictions with Sign-Restrictions
(Working Papers;14/2013, Working paper, 2013)I describe a new method for imposing zero restrictions (both short and long-run) in combination with conventional sign-restrictions. In particular I extend the Rubio-Ramirez et al. (2010) algorithm for applying short and ... -
Undersøkelse av valuta- og derivatmarkedene i 2004: Sterk vekst i det norske rentederivatmarkedet
(Journal article, 2005)I forbindelse med en internasjonal undersøkelse i regi av Bank for International Settlements (BIS) målte Norges Bank aktiviteten i det norske valuta- og derivatmarkedet i april 2004. Omsetningen av rentederivater økte ... -
Undersøkelse om kryptoeiendeler i Norge
(Norges Bank Memo;2/2024, Report, 2024) -
Unemployment Benefits and Household Credit Risk
(Staff Memo;17/2014, Working paper, 2014)In Norway the wage replacement rate, i.e. the proportion of wage income that is replaced by unemployment benefit, falls with high income. At the same time, the distribution of debt is skewed towards high-income earners. ... -
Unemployment. Labour Market Programmes and Wages in Norway
(Working Papers;11/1997, Working paper, 1997)The Norwegian authorities pursue active labour market policies to fight unemployment by qualifying the unemployed in a wide range of programmes. We discuss theoretically and investigate empirically the effects such policies ... -
Universal Banking and the Development of Secondary Corporate Debt Markets: Lessons from 1830s Belgium
(Working Papers;21/2010, Working paper, 2010)This paper proposes a reassessment of the old-age debate on universal banking and growth by putting it on a different plan. Modern financial economics are used to provide new theoretical foundations to Gerschenkron’s (1962) ... -
Upgrading and Outsourcing Norges Bank’s Settlement System
(Journal article, 2004)In recent years, Norges Bank has focused more strongly on its core activities as a central bank, and this has also had a bearing on its activities related to the payment system. In this article, we will review recent years’ ... -
Upresist om kontanter : kronikk i Dagens Næringsliv
(Chronicle, 2017-09-13) -
Uro i kredittmarkedene – boligfinansiering ute og hjemme
(Others, 2007) -
Uro i kredittmarkedene – boligfinansiering ute og hjemme
(Journal article, 2007)Problemer i det amerikanske boliglånsmarkedet utløste en omfattende uro i kreditt- og pengemarkedene sommeren og høsten 2007. I foredraget beskriver sentralbanksjefen drivkreftene bak utviklingen, svakheter som ble avdekket ... -
Uroen i verdensøkonomien påvirker også Norge : kronikk i Sunnmørsposten
(Chronicle, 2011-08-15) -
Use of Models and Economic Theory in Norges Bank
(Others, 2011) -
Usikkerhet, økonomiske modeller og pengepolitikk
(Others, 2007) -
Using Financial Soundness Indicators to Assess Financial Stability
(Others, 2002) -
Using Low Frequency Information for Predicting High Frequency Variables
(Working Papers;13/2015, Working paper, 2015)We analyze how to incorporate low frequency information in models for predicting high frequency variables. In doing so, we introduce a new model, the reverse unrestricted MIDAS (RU-MIDAS), which has a periodic structure ... -
Utdyping av stresstestene i Finansiell stabilitet 1/11
(Journal article, 2011)I rapporten Finansiell stabilitet publiserer Norges Bank to ganger i året resultatene av makrostresstester, hvor bankenes kapitaldekning fremskrives under ulike alternativer for den makroøkonomiske utviklingen. Stresstestene ... -
Utdyping av stresstestene i Finansiell stabilitet 1/12
(Journal article, 2012)Penger og Kreditt publiserer utdypende informasjon om stresstestene som presenteres i rapporten Finansiell stabilitet. Hensikten med stresstestene er å vurdere sårbarheten i banksystemet som helhet under ulike alternativer ... -
Utdyping av stresstestene i Finansiell stabilitet 2/2012
(Staff Memo;32/2012, Working paper, 2012)I rapporten Finansiell stabilitet (FS) har Norges Bank to ganger i året publisert resultatene av makrostresstester av bankenes soliditet. Hensikten med stresstesten er å vurdere hvordan kreditt- og markedsrisiko vil utvikle ...